Operations Associate - Cash & Position Reconciliations
Verition Fund Management
New York
Workplace: OnsiteFull timeFunction: Product ManagementExperience: 3+ yearsEducation: bachelorsSkills: ["Analytical","Communication","Problem-solving","Attention to detail","Prioritization"]Join the Cash & Position Reconciliation team to perform daily cash and position reconciliations across internal systems and external platforms, including Prime Brokers. Investigate and resolve high-volume reconciliation breaks, escalate outstanding issues, and maintain accurate transaction records. Partner with Trading, Technology, and other Operations teams to address process gaps, respond to ad hoc queries, and help drive timely, accurate resolution of breaks in a fast-paced environment.

